- Develop a deep knowledge of Bonds transactions in European Domestic, Euroclear & Emerging Markets.
- Risk manage Bookings, Confirms and Settlements for Bonds transaction
- Partner with Sales Desks, Trading Desks, Settlements, Credit, Technology and other Operations teams to ensure timely confirmation and settlement of trades for good value date with adherence to the Market cut- offs & regulations
- Ensure associated payments and cash movements on these trades are tracked and paid in good time as agreed contractually
- Maintain accurate and clean post settlement work-flows along with timely Client-money decisions
- Escalation & Resolution of Client disputes and queries
- Design and initiate process improvements with thorough understanding of the teams' processes, controls & regulatory requirements
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